| Name | Ex-Dividend Date | Dividend | Payment Date | Record Date | Declaration Date | Frequency |
|---|---|---|---|---|---|---|
| 1 Apr 2026 | $9.13 | 8 Apr 2026 | 6 Apr 2026 | - | Other |
| 2 Jan 2026 | $9.4 | 9 Jan 2026 | 5 Jan 2026 | - | Other |
| 1 Oct 2025 | $8.78 | 8 Oct 2025 | 6 Oct 2025 | - | Other |
| 1 Jul 2025 | $40.93 | 8 Jul 2025 | 7 Jul 2025 | - | Other |
| 1 Apr 2025 | $9.21 | 8 Apr 2025 | 4 Apr 2025 | - | Other |
| 1 Oct 2024 | $9.04 | 8 Oct 2024 | 4 Oct 2024 | - | Other |
| 1 Jul 2024 | $8.83 | 8 Jul 2024 | 5 Jul 2024 | - | Other |
| 2 Apr 2024 | $8.68 | 9 Apr 2024 | 5 Apr 2024 | - | Other |
| 2 Jan 2024 | $8.5 | 9 Jan 2024 | 5 Jan 2024 | - | Other |
| 2 Oct 2023 | $7.82 | 9 Oct 2023 | 5 Oct 2023 | - | Other |
0P0001IGMY Paid Aviva Investors - Global Investment Grade Corporate Bond Fund Mq USD Inc 10 Jul 2023 | 3 Jul 2023 | $7.62 | 10 Jul 2023 | 6 Jul 2023 | - | Other |
0P0001IGMY Paid Aviva Investors - Global Investment Grade Corporate Bond Fund Mq USD Inc 10 Apr 2023 | 3 Apr 2023 | $6.94 | 10 Apr 2023 | 6 Apr 2023 | - | Other |
| 2 Jan 2023 | $6.67 | 9 Jan 2023 | 5 Jan 2023 | - | Other |
0P0001IGMY Paid Aviva Investors - Global Investment Grade Corporate Bond Fund Mq USD Inc 10 Oct 2022 | 3 Oct 2022 | $6.03 | 10 Oct 2022 | 6 Oct 2022 | - | Other |
| 1 Jul 2022 | $6.65 | 8 Jul 2022 | 5 Jul 2022 | - | Other |